Financial Stability and Bank Solvency
Financial Stability and Bank Solvency
复制标题
金融稳定和银行偿付能力
DOI:
10.1142/9789812569479_0007
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发表时间:
2005
期刊:
影响因子:
--
通讯作者:
P. Sinclair
中科院分区:
文献类型:
--
作者:
A. Haldane;Glenn Hoggarth;V. Saporta;P. Sinclair
AbstractThe following sections are included:IntroductionEmpirical Evidence on the Solvency–Stability NexusFrom financial instability to the banking systemFrom banking sector weakness to the macroeconomyModel-Based Evidence on the Financial Stability–Solvency NexusThe model by ChenFrom macro shocks to output loss via the financial sectorFrom banking sector problems to outputDiscussionFinancial Stability InstrumentsA taxonomy of instrumentsMethods of resolving a banking crisisA Framework for Assessing Public Intervention in Bank ResolutionOpen Issues in Bank ResolutionJudging "systemic"Dealing with large complex financial institutions (LCFIs)References